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Consolidated Statement of Profit or Loss - PEN (S/)
S/ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Profit or loss [abstract]      
Sales of goods S/ 1,937,767 S/ 1,296,334 S/ 1,392,701
Cost of sales (1,378,336) (921,048) (905,806)
Gross profit 559,431 375,286 486,895
Operating income (expenses)      
Administrative expenses (196,069) (163,369) (174,482)
Selling and distribution expenses (51,520) (40,153) (44,533)
Other operating income, net 6,408 4,346 2,645
Total operating expenses, net (241,181) (199,176) (216,370)
Operating profit 318,250 176,110 270,525
Other income (expenses)      
Finance income 2,891 2,976 2,576
Finance costs (88,965) (88,694) (77,986)
Net gain (loss) of derivative financial instruments at fair value through profit or loss 589 5,337 (1,491)
Accumulated net loss on settlement of derivative financial instruments at fair value through profit or loss (1,569)    
(Loss) gain from exchange difference, net (7,086) (9,831) 729
Total other expenses, net (94,140) (90,212) (76,172)
Profit before income tax 224,110 85,898 194,353
Income tax expense (70,940) (28,004) (62,306)
Profit for the year S/ 153,170 S/ 57,894 S/ 132,047
Earnings per share      
Basic and diluted profit of the year attributable to equity holders of common shares and investment in shares of Cementos Pacasmayo S.A.A. (S/ per share) (in Nuevos Soles per share) S/ 0.36 S/ 0.14 S/ 0.31